nVent Electric plc - Common Stock (NVT)

Historical Holders from Q2 2018 to Q3 2025

Symbol
NVT on NYSE
CUSIP
G6700G107
Type / Class
Equity / Common Stock
Shares outstanding
165M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
161M
Holdings value
$11.8B
% of all portfolios
0.012%
Grand Portfolio weight change
+0.001%
Number of holders
628
Number of buys
327
Number of sells
-275
Average Value change %
+0%
Average buys %
+0.003%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of nVent Electric plc - Common Stock (NVT)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 9% $687M 14.9M BlackRock, Inc. Mar 31, 2025

Institutional Holders of nVent Electric plc - Common Stock (NVT)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 9.96M $982M -$101M $98.64 183
2025 Q2 161M $11.8B +$574M $73.25 628
2025 Q1 154M $8.09B -$49.7M $52.42 612
2024 Q4 153M $10.4B +$374M $68.16 634
2024 Q3 146M $10.3B -$286M $70.26 629
2024 Q2 150M $11.5B +$51.2M $76.61 655
2024 Q1 149M $11.2B +$69.1M $75.40 597
2023 Q4 2.9M $171M -$551K $59.09 5
2023 Q3 146M $7.73B +$115M $52.99 538
2023 Q2 145M $7.5B +$35.9M $51.67 481
2023 Q1 143M $6.16B +$8.65M $42.94 467
2022 Q4 143M $5.5B -$39.3M $38.47 439
2022 Q3 137M $4.33B -$38.3M $31.61 356
2022 Q2 141M $4.4B +$25.1M $31.33 360
2022 Q1 146M $5.09B +$25.5M $34.78 358
2021 Q4 145M $5.51B -$77.5M $38.00 376
2021 Q3 145M $4.7B -$10.7M $32.33 336
2021 Q2 145M $4.51B +$87.2M $31.24 338
2021 Q1 146M $4.07B -$103M $27.91 341
2020 Q4 150M $3.5B +$139M $23.29 317
2020 Q3 147M $2.6B -$14.5M $17.69 275
2020 Q2 150M $2.8B +$6.57M $18.73 277
2020 Q1 149M $2.51B -$26.8M $16.87 287
2019 Q4 150M $3.83B +$37.8M $25.58 317
2019 Q3 148M $3.27B +$36.3M $22.04 301
2019 Q2 145M $3.59B -$67.6M $24.79 330
2019 Q1 152M $4.1B -$38.6M $26.98 347
2018 Q4 153M $3.44B +$718K $22.46 332
2018 Q3 153M $4.17B +$197M $27.16 355
2018 Q2 146M $3.66B +$3.66B $25.10 341